Purpose This report gives you a monthly summary of the municipal taxes. Features This report evaluates the results you created during payroll (in thestandard with the report RPCALCA0>). You havecumulated wage types according to certain conditions (municipality,company code, and so forth) for several employees. You can summarize the wage types in the payroll dependent on the reportparameters. The report rounds the cumulated base for municipal taxesand applies a percentage. The report creates a list of amounts that thecompany pays to the municipal and city funds. You can transfer theseamounts to accounting. The report also creates internal lists andofficial SAPscript> forms.Prerequisites The following are prerequisites for running the report:
- In Customizing for Personnel Administration> under
Organizational Data> -> Organizational Assignment> you haveprocessed the section Organizational Assignment Supplement Austria > You must have saved the following data: Your company's address (company name, personnel area/personnel subarea,street/house no., postal code, and city) Municipality numbers Data processing register number (DPR-no.)
- In Customizing for Personnel Administration> under
Organizational Data> -> Organizational Assignment> ->Additional Organizational Assignment Austria> -> PersonnelSubareas> -> Assign Municipalities> you must specify whetherthe exemption limit is taken into account.
- In the table Payroll Constants> (T511K) you have processed the
following constants: LOHNP> Percentage rate applied to the rounded base LOHNF> Exemption amount applied to the base LOHNG> The maximum amount of the base to which an exemption canbe applied
- If want to post retroactive accounting differences from the previous
caldendar year to special periods, the posting date must be maintainedin the view Period-Dependent Date Specifications>. To edit thisview, in Customizing for Payroll Austria> under Reporting forPosting to Accounting> -> Activities in the HR-System> performthe step Maintain Posting Date for Payroll Periods>.
- You have run payroll successfully.
During payroll, the base for municipal tax is determined based on themunicipality. A data set is created that is the basis for this report.This data set contains the cumulated wage type /680> (MunTx/ETxcontribution) The cumulated base is in the Number field; the cumulatedperson-related amount of municipal taxes is in the Total field.Evaluation Control>/Selection> The report evalues the selected payroll areas. You can specify one ormore payroll areas in the report selection screen. For the three related fields Payroll area>, Payroll period >, and Payroll year>, the report reads the results from theprevious year that are necessary for the evaluation.Transfer to accounting If you want to post the municipal tax owed to accounting, activate theTransfer> field. If this field is activated, a posting run iscreated and put in the posting run overview under the category APPosting Tax/SI Austria> To display the posting run overview, choose from the SAP EasyAccess> screen Human Resources> -> Payroll> -> PerPayroll Period> -> Reporting> -> Posting to Accounting>-> Process Run> from the main menu. Choose Help> ->Application Help> for information on processing posting runs. If you use external company codes, that is company codes in anothersystem, create an entry for these company codes in the tableTransfer to FI/CO: External Company Codes 3.X> (T52EX). For moreinformation on this procedure, see the IMG for Payroll Austria>under Reporting for Posting to Accounting> -> SpecialScenarios> -> Posting in Previous Releases> ->Set Up Export to R/2 System or R/3 System < 4.0>The system creates a TemSe file for the posting records of this companycode. Enter the symbolic account for the creditor posting in the parameterSymbolic Account for Creditor Posting> The account search for thecreditor posting account can be determined dynamically. Themunicipality number from the table Municipalities> (T5A2G) istransferred to the posting document. For more infomation on thisprocedure, see the IMG for Payroll Austria>, under Reportingfor Posting to Accounting>, the sections DefineSymbolic Accounts > and Assign Creditors>. Enter the symbolic account of the clearing account in the SymbolicAccount for Financial Account> field in the report selection screen. You can create simulation posting documents and reverse created postingruns.Output The report displays the data as a two-level overview tree. You use thistree to check the data that is to printed on the official form. (Thischeck list is intended for internal purposes only)
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